| Fund | Type | Performance | Top Stocks/Sectors | Charges | Manager |
| DSPML T.I.G.E.R. Reg-G | Average Risk Open End Growth Diversified, SIP available NRIs allowed, Repatriable No swap No reinvestment Launch May 2004 | Bad this year, Better on good years Benchmark BSE 100 Return Since Launch - 24.82 Manage > 3000 crs | Large caps, high concentration on energy, Diversified with 60 stocks, Top 10 Holdings are 39.67 % | 2.25 % entry, 1 % exit within 180, 0.5% within a year | www.dspmlmutualfund.com Anup Maheshwari Since: Apr - 2008 Mr. Maheshwari holds a BCom Degree and is an MBA from IIM (Lucknow). He joined DSPML in April 2001, prior to which , he was with Chescor as Senior Analyst. He has also worked for IRIS and SCICI as analyst and project officer. |
| DSPML Top 100 Equity Reg-G | Low Risk Open End Growth Diversified, SIP available NRIs allowed, Repatriable Swap Yes No reinvestment Launch Feb 2003 | Good this year Above Average on good years Benchmark BSE 100 Return Since Launch - 35.29 Manage > 1000 crs | High on energy. tech and consumer sectors Top 10 Holdings are 50 % | 2.25 % entry, 1 % exit within 180, 0.5% within a year | Apoorva Shah Since: Apr - 2006 Mr. Shah is a Commerce Graduate and PGDM from IIM, Ahmedabad. Prior to joining DSPML AMC, he has worked with GPC India as Portfolio Advisor & Head of Products and with DSP Merrill Lynch. |
| DWS Alpha Equity-G | Low Risk Open End Blend Diversified, SIP available NRIs allowed, Repatriable Swap Yes No reinvestment Launch Jan 2003 | Good this year Above Average on good years Benchmark S&P CNX Nifty Return Since Launch - 30.25 Manage > 159 crs | Very High on energy. tech and consumer sectors Top 10 Holdings are 50.55 % | 2.25 % entry, 1 % exit within 180, 0.5% within a year | www.dws-india.com Aniket Inamdar Since: Jun - 2007 Mr. Inamdar is an Engineer, and holds a PGDM, from IIM, Ahmedabad. He joined Deutsche Asset Management Pvt. Ltd. in May 2007.Prior to this, he was with ICICI Prudential AMC for 3 years and has also worked with DBS Cholamandalam AMC and UTI AMC. |
| DWS Investment Opportunity-G | Average Risk Open End Blend Diversified, SIP available NRIs allowed, Repatriable No Swap No reinvestment Launch Jan 2004 | Bad this year Average on good years (only one) Benchmark BSE 200 Return Since Launch - 17.64 Manage > 161 crs | Very High on energy. tech and consumer sectors Top 10 Holdings are 39.37 % | 2.25 % entry, 1 % exit within 180, 0.5% within a year | Aniket Inamdar Since: Jun - 2007 Mr. Inamdar is an Engineer, and holds a PGDM, from IIM, Ahmedabad. He joined Deutsche Asset Management Pvt. Ltd. in May 2007.Prior to this, he was with ICICI Prudential AMC for 3 years and has also worked with DBS Cholamandalam AMC and UTI AMC. |
| ICICI Pru Infrastructure-G | Average Risk Open End Growth Diversified, SIP available NRIs allowed, Repatriable No Swap No reinvestment Launch Aug 2005 | Not bad this year High on good years (only one) Benchmark S&P CNX Nifty Return Since Launch - 20.49 Manage > 3500 crs | High on energy. Metals, Diversified Top 10 Holdings are 53 % More Debt portion currently | 2.25 % entry, 1 % exit within 180, 0.5% within a year | www.icicipruamc.com Sankaran Naren Since: Oct - 2005 Mr. Naren is a B.Tech from IIT, Madras and holds a PGDM from IIM Calcutta. Prior to joining Pru ICICI AMC, he has worked with Refco Sify Securities, HDFC Securities and Yoha Securities. Mrinal Singh Since: Aug - 2008 Mr. Singh is Bachelor of Engineering (Mechanical) and PGDM from SPJIMR, Mumbai. He has over 6 yrs. of experience of which 3 months in equity market. |
| Kotak Opportunities-G | Average Risk Open End Growth Diversified, SIP available NRIs allowed, Repatriable No Swap No reinvestment Launch Aug 2004 | Bad this year Above Ave on good years (only one) Benchmark S&P CNX 500 Return Since Launch - 23.46 Manage > 756 crs | High on Financial Services. Technology, Energy Top 10 Holdings are 38.05 % | 2.25 % entry, 1 % exit within a year | www.kotakmutual.com Anurag Jain Since: Jul - 2007 Mr.Jain is a Chemical Engineer and holds a Diploma in Management from IIM Kolkata. Joined the equity markets in 2001 working with SBI Mutual Fund, ICICI Bank followed with SSKI securities. He joined the AMC in August 2005, as a part of the equity fund management team for evaluating investment opportunities in equities. Krishna Sanghvi Since: Jul - 2007 Mr.Sanghvi is a Commerce Graduate, pursued Cost & Work Account from ICWAI, Master of Management Studies (Finance) from NMIMS, Mumbai and CFA from ICFAI. Has an experience in Credit Appraisal & Credit Risk Management. Prior to joining Kotak AMC, had worked with Kotak Mahindra Primus Ltd., Kotak Mahindra Finance Ltd. & Kotak Mahindra Old Mutual Life Insurance Ltd. He has also worked with IDBI for nearly 2 yrs. |
| Magnum COMMA-G | Above Average Risk Open End Blend Diversified, SIP available NRIs allowed, Repatriable No Swap No reinvestment Launch Jul 2005 | Bad this year Average on good years (only one) Benchmark BSE 200 Return Since Launch - 9.28 Manage > 508 crs | Very High on Energy. Metals, Chemicals since it is for investing in commodities Top 10 Holdings are 55.28 % | 2.25 % entry, 1 % exit within 180, 0.5% within a year | www.sbimf.com Sudhanshu Asthana Since: Oct - 2007 Mr.Asthana ia a M.A in Economics from Mumbai University and holds a Diploma in Investment Management from NMIMS Has more than 7 years of experience in the financial services industry. Before being designated as fund manager had worked in same capacity and as Equity Analyst with the Quantum AMC for 1 year, for 5 months was with Quantum Advisors Pvt. Ltd. |
| Magnum Contra –G | Below Average Risk Open End Blend Diversified, SIP available NRIs allowed, Repatriable Swap Yes No reinvestment Launch Jul 1999 | Bad this year High on good years Benchmark BSE 100 Return Since Launch - 24.74 Manage > 2050 crs | High on Energy, Financial Services. Technology, Top 10 Holdings are 32.50 % | 2.25 % entry, 1 % exit within 180, 0.5% within a year | Pankaj Gupta Since: May - 2007 Mr. Gupta is a Commerce Graduate and MBA from IIM, Luchnow. Has over 4 yrs. of experience in Mutual Fund, Equity Research and Corporate Banking. He had his previous assignment with ICICI Bank Ltd. |
| Reliance Regular Savings Equity | Below Average Risk Open End Growtjh - MidCap Diversified, SIP available NRIs allowed, Repatriable No Swap No reinvestment Launch May 2005 | Average this year High on good years Benchmark BSE 100 Return Since Launch - 11.53 Manage > 733 crs | Mid Cap oriented High on Energy, Financial Services. Technology, Top 10 Holdings are 32.43 % | 2.25 % entry, 1 % exit within a year | www.reliancemutual.com Arpit Malaviya Since: Oct - 2007 Mr.Malaviya is a Commerce Graduate and holds a CA degree. Prior to joining Reliance AMC, he had worked with JM Financial AMC and ICAP India Pvt.Ltd. as fixed income securities dealer and also with Haribhakti & Co. OmPrakash Kuckien Since: Nov - 2007 Mr. Kuckian holds an AICWA degree. He has more than 18 years of experience. Prior to this he was associated with HDFC Securities Ltd, SMIFS Securities Ltd, and Canbank Financial Services. |
| Sundaram BNP Paribas Select Focus Reg-G | Below Average Risk Open End Growtjh Diversified, SIP available NRIs allowed, Repatriable No Swap No reinvestment Launch Jul 2002 | Good this year High on good years Benchmark S&P CNX Nifty Return Since Launch - 32.46 Manage > 916 crs | High on Energy, Financial Services. Technology, Top 10 Holdings are 41.14 % Has about 28% in debt and other instruments currently | 2.25 % entry, 1 % exit within a year | www.sundarambnpparibas.in Srividhya Rajesh Since: Jul - 2002 She is an alumnus of BITS Pilani. Prior to joining Sundaram, she has worked for two years in Kotak Mahindra. |
| Tata Infrastructure-G | Average Risk Open End Growtjh Diversified, SIP available NRIs allowed, Repatriable No Swap No reinvestment Launch Dec 2004 | At par this year High on good years Benchmark Sensex Return Since Launch - 23.22 Manage > 2046 crs | Very High on Energy, Financial Services. Basic Engg, Top 10 Holdings are 44.51 % | 2.25 % entry, 1 % exit within 180 days | www.tatamutualfund.com M Venugopal Since: Feb - 2005 Mr Venugopal is B.Sc in Mathematics and also holds an MBA degree with specialisation in Finance. From August 1995 to September 1997, gained good understanding of the stock market having worked as dealer at Tata Asset Management Ltd for about two years after which he assumed equity fund management responsibility. Has good exposure to large number of industries and companies having done fundamental research over the years |
| UTI Infrastructure-G | Average Risk Open End Growtjh Diversified, SIP available NRIs allowed, Repatriable Swap Yes No reinvestment Launch Apr 2004 | Bad this year High on good years Benchmark BSE 100 Return Since Launch - 22.75 Manage > 1625 crs | High on Energy,Basic Engg, Diversified, Technology Top 10 Holdings are 43.77 % Hard Core infra fund | 2.25 % entry, 1 % exit within 180 days | www.utimf.com Sanjay Ramdas Dongre Since: Nov - 2005 Mr. Dongre holds a B.E. and a post-graduate degree in management from IIM (Kolkata). He joined UTI in 1994.Initially, he was asigned a job of Debt analyst which was acting as a support service for fund management activity. He also worked as Equity Research analyst covering wide range of corporates and industries. Subsequently he worked as |
| | | | | | |